Job Description
We are seeking a highly skilled and experienced professional to be part of the Quality Management Team in Wealth Operations, specifically focusing on Non-Financial Regulatory Reporting. This role involves overseeing the Quality Management framework for all Non-Financial Regulatory Reporting activities across multiple jurisdictions, ensuring compliance with diverse and complex regulations. This role is crucial for managing the integrity and accuracy of information across a broad range of wealth management products and client portfolios. The ideal candidate will possess in-depth knowledge of global regulations, a keen understanding of the intricacies of wealth management, and the ability to work with a global team.
Key Responsibilities:
- Quality Management Oversight & Execution:
- Oversee the Quality Management for Non-Financial Regulatory Reporting activities, ensuring adherence to submission deadlines and accuracy standards.
- Execute Quality Management activities for Non-Financial Regulatory Reporting, designing and performing sample testing to review accurate and timely regulatory reports in compliance with authorities.
- Design and perform comprehensive data reconciliation and validation to ensure the integrity of reporting.
- Regulatory Compliance:
- Lead the interpretation, assessment, and implementation of complex new or revised regulatory requirements, providing guidance to the team.
- Manage and lead responses to queries from Financial Authorities and internal control assessments (e.g., MCA framework) specifically related to regulatory reporting.
- Lead, chair, and/or participate in governance forums.
- Identify potential discrepancies or issues in regulatory reporting and escalate them appropriately.
- Develop, maintain, and continuously enhance the risk and control framework for regulatory reporting processes.
- Stay abreast of evolving global regulatory requirements, Citi policies, standards and adapt the QA framework to meet new compliance standards, especially those impacting wealth management products such as investments, alternatives, funds, deposits, structured products, and advisory services etc.
- Stakeholder Management & Communication:
- Serve as a primary liaison with internal stakeholders (e.g., Corporate Tax, ICRM, Legal, Business Units) and external regulatory bodies.
- Collaborate with compliance, risk, legal, operations, technology, product owners, report owners, Enterprise data & regulatory reporting, and banking teams to address QA issues, develop remediation plans, and drive continuous improvement initiatives specific to Wealth Management.
- Team Leadership & Development:
- Provide expert guidance, training, and mentorship to junior team members.
- Lead all the audit, internal and external review engagements.
- Communicate with regulators as required, co-ordinate back reporting/replays if necessary.
- Process Improvement & Automation:
- Drive process improvement and automation initiatives within the regulatory reporting function.
- Identify and implement best practices to enhance the efficiency, accuracy, and consistency of regulatory reporting, considering the diverse range of products and services offered to global clients.
- Develop and monitor robust data quality metrics and controls to ensure the integrity of data used for regulatory reporting, from client data to complex product transactions.
- Risk Assessment:
- Conduct regular risk, self - assessments to identify gaps in existing QA processes, with a focus on mitigating compliance risks associated with diverse client portfolios and complex investment products.
- Reporting & Analytics:
- Develop and present comprehensive reports to senior management on the status of QA programs, key findings, and recommendations for improvement, highlighting areas of risk and strategic focus.
Required Skills & Expertise:
- Educational Background: Bachelor's or Master's degree in Finance, Business, Economics, or a related field. Advanced certifications (e.g., CFA, CPA, FRM) are highly desirable.
- Professional Experience:
- Extensive experience (typically 8-10+ years) in implementing Controls and Quality Management in Non-Financial Regulatory Reporting within the financial services industry, with specific experience in Wealth Management.
- Proven leadership experience, with a track record of managing large, cross-functional teams across multiple locations, particularly in complex, global environments.
- In-depth knowledge and working experience on regulatory frameworks (e.g., Dodd-Frank, EMIR, MiFID II, MAS, HKMA, Volker, Trace) and the ability to interpret and apply regulatory requirements to Wealth Management products and services.
- Solid understanding of key regulatory reporting frameworks and requirements.
- Additionally, working experience and knowledge on various Client Tax Reporting frameworks (e.g., FATCA, CRS, Relief at Source, Reclaim at Source) and indirect Tax regimes like GST, VAT, FTT will be a plus.
- Technical Skills:
- Proficiency in data analytics and QA tools; experience with automated QA testing frameworks is a plus.
- Proficiency in reconciliation, advanced Excel functions, and automation tools.
- Core Competencies:
- Demonstrated ability to manage internal and external audits.
- Strong understanding and experience with risk and control frameworks.
- Strong analytical and problem-solving skills, with the ability to manage complex data sets, identify trends, and address issues within the context of wealth management client portfolios.
- Excellent communication and interpersonal skills, with the ability to influence and collaborate with stakeholders at all levels, including senior executives and front-office teams.
- Strong attention to detail and analytical skills.
- Ability to work independently and collaboratively in a fast-paced environment.
- Ability to navigate a fast-paced, complex environment with multiple competing priorities.
- Experience in managing documentation for regulatory submissions and audit trails.
Why Join Us?
- Global Impact: Play a key role in ensuring compliance and operational excellence across global wealth management markets, safeguarding the integrity of our client experience, relationships, and services.
- Career Growth: Lead and shape a critical function within the organization, with ample opportunities for career development and exposure to diverse markets and products.
- Collaborative Environment: Work with top-tier professionals from diverse backgrounds and regions, in a culture that values teamwork, innovation, and continuous improvement.
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Job Family Group:
Operations - Transaction Services
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Job Family:
Securities and Derivatives Processing
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Time Type:
Full time
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Most Relevant Skills
Please see the requirements listed above.
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Other Relevant Skills
For complementary skills, please see above and/or contact the recruiter.
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